What can we help you find?

Your search had no results

Please try the following to find what you’re looking for:

  • Check your spelling
  • Try different words or word combinations (E.g. "fund form")

Unit Prices

Growth

Perpetual Select Term Allocated Pension Plan

As of Date Entry Price Exit Price

24/11/2022

68.969579

68.831915

23/11/2022

69.027320

68.889541

22/11/2022

69.162063

69.024015

21/11/2022

68.977365

68.839686

18/11/2022

68.731080

68.593892

17/11/2022

68.721266

68.584098

16/11/2022

68.367289

68.230827

15/11/2022

68.596023

68.459105

14/11/2022

68.537769

68.400967

11/11/2022

68.878105

68.740624

10/11/2022

68.350695

68.214266

09/11/2022

67.885735

67.750235

08/11/2022

67.685640

67.550539

07/11/2022

67.711861

67.576708

04/11/2022

67.493325

67.358608

03/11/2022

67.733944

67.598747

02/11/2022

67.776499

67.641217

01/11/2022

68.327695

68.191312

31/10/2022

67.942898

67.807283

28/10/2022

67.754294

67.619056

27/10/2022

67.206561

67.072416

26/10/2022

67.186280

67.052176

25/10/2022

67.426021

67.291438

24/10/2022

67.245071

67.110849

21/10/2022

66.680015

66.546921

20/10/2022

66.432790

66.300190

19/10/2022

67.080115

66.946223

18/10/2022

67.314919

67.180558

17/10/2022

66.677152

66.544064

14/10/2022

66.541717

66.408899